Interest Rate Risk in the Banking Book


Jun 6, 2022
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Interest Rate Risk in the Banking Book

English | 19 May 2017 | ISBN: 1782723250 | 288 Pages | AZW3 | 3.08 MB

The author explains the nature of interest rate risks in simple language, describing the methods typically used to measure them, with the added advantage of many worked examples. He explores the various strengths and weaknesses of each in order to come up with suggestions as to what constitutes best practice. The book is essential reading for all those involved with interest rate risk in the banking book but particularly those working in a bank ALM function who wish to gain a wider appreciation of the context in which they operate, more generalist and senior bankers who need a grasp of the fundamentals and those working in a trading risk function who wish to understand how market risk in a banking book can differ from that in a trading book

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